All White papers articles – Page 76
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White papers
Clear and easy access: Gaining entry to private credit
As private markets continue to evolve, improved accessibility is opening the doors to potentially unique opportunities across the private credit spectrum through different fund structures that seek to meet diverse needs.
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White papers
Tackling short-term challenges and the long-term goals of sustainable investing
Climate, geopolitics and macroeconomic factors combine to make instability a constant rather than a break from the norm – at least for a while. We believe sustainability remains the best long-term prism to understand crisis factors and anticipate a low-carbon, environmentally sustainable and inclusive economy. Challenges may be interconnected, but so are the solutions.
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White papers
From Climate Stress Testing to Climate Value-at-Risk: A Stochastic Approach
This paper proposes a comprehensive climate stress testing approach to measure the impact of transition risk on investment portfolios. Unlike most climate stress testing models, which are designed for the banking industry and follow a top-down approach, our framework considers a bottom-up approach and is mainly relevant for the asset management industry.
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White papers
Keynote Interview: Infrastructure Reaps Rewards Of Inclusion
Keynote Interview with Infrastructure Investor
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White papers
Financing the energy transition
Energy security and climate change are driving an unparalleled economic shift in the energy sector worldwide, and reshaping the investment landscape for green energy credit as a result.
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White papers
Insurance Fixed Income Outlook: Transition to more liquid assets
European Insurance companies started 2023 with high solvency ratios and a good outlook to improve their underlying profitability thanks to strong rate increases in reinsurance, and commercial P&C, while 2022 prices increases in retail P&C are slowly mitigating inflation.
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White papers
Embracing impact investing
In a sense, impact - or socially responsible - investing is as old as the hills. After all, both Jewish and Islamic holy scriptures contain guidance on what sort of investments are permissible in the eyes of God.
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White papers
Global Macro Outlook - Third Quarter 2023
Steadfast global resilience to recession highlighted the quarter, although the outlook hasn’t necessarily improved. But with labor markets tight and wages keeping pace with inflation, consumers are navigating the economy’s rough patches. Still, we expect growth to slow in time.
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White papers
Fixed-Income Midyear Outlook: Surfing Lessons
Surf’s up! Elevated yields and negative correlations are good news for bond investors. We share strategies for making the most of today’s opportunities.
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White papers
Farmland’s inflation-hedging characteristics
A comprehensive analysis of different crop types’ performance in an inflationary environment.
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White papers
The Endurance of U.S. Rental Housing Investments
Over the past decade, U.S. multifamily has been among the most sought-after sectors by institutional investors due to its necessity characteristic, the underlying strength of property-level fundamentals, and high historic risk-adjusted total returns. It has remained an integral part of commercial real estate (CRE) investment portfolios with a portfolio weighting of 29.2% in the NCREIF Fund Index-Open End Diversified Core Equity (NFI-ODCE).
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White papers
Private credit: Perspectives on opportunities and risks
Even as traditional fixed income offers more attractive rates, institutional investors continue to explore alternative credit.
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White papers
How to manage emerging market currency risk
Investing in emerging debt or equity markets is a prudent way of adding diversification to portfolios for institutional investors. Associated with investment in these assets is a currency exposure that should be wisely managed, rather than just naively assumed. In this article we look at the investment characteristics of this currency exposure and the spectrum of approaches to managing it.
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White papers
Four Compelling Reasons to Diversify with Private Real Estate Credit
Commercial mortgage loans (CMLs) represent a private alternative asset class that offer attractive attributes to complement traditional fixed income portfolios.
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White papers
Real Estate Outlook June 2023 - Real Estate Reckoning
Our long-term outlook embraces a flexible, long-term approach to seize opportunities in debt and equity investments across the real estate landscape.
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White papers
Relative Value & Tactical Asset Allocation: Q3 2023
As most central banks are nearing the end of the hiking cycle, JP Morgan’s Global Manufacturing PMI Index remained at a level consistent with a contraction. It was the ninth consecutive month below the neutral level of 50.
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White papers
UK real estate: half-year health check
It’s been a volatile 12 months in UK real estate. The speed and extent of the capital market repricing, -25% from June 2022’s peak through to February 2023’s trough, was more severe than we saw during from 2007-09 during the global financial crisis.
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White papers
The office sector re-pricing: Value creation opportunities emerging in the European market
It’s not all doom & gloom, despite COVID-induced headwinds, ESG concerns and the plethora of articles about declining CBDs in the United States.
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White papers
Q2 2023 Asia Pacific Market Perspective
Between July and November 2023, soft-landing expectations remained intact; higher interest rates incrementally dampened growth and reduced inflationary readings, in line with central banks intentions.
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White papers
An updated journey of the road to net zero carbon
In order to support the objectives of the Paris Accord, governments in major countries across the world have committed to reach net zero by target dates between 2030 and 2060.